Join our Commercial & Investment Bank Treasury team at J.P. Morgan to manage forecast and budget processes for liquidity, funding, and balance sheet optimization.
You will collaborate with stakeholders across TCIO, Markets FRM, Risk, P&A and LOB controllers to deliver timely management reporting and actionable liquidity insights. As Vice President, you will oversee execution of management reporting and forecasting, support regulatory compliance with LCR/NSFR rules, and drive automation and
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VP, Liquidity Strategy & Forecasting employer: J.p. Morgan's Commercial & Investment Bank
JPMorganChase is an exceptional employer that fosters a dynamic and inclusive work culture, where innovation thrives and employees are empowered to lead. With a strong focus on professional development, you will have access to cutting-edge technology and resources, enabling you to grow your skills in cloud-native and AI-driven engineering. Located in the vibrant EMEA region, this role offers unique opportunities to collaborate with diverse teams and make a significant impact in a fast-paced environment.
Contact Details:
J.p. Morgan's Commercial & Investment Bank Recruitment Team